Accounting Clerical Occupations X Workstyle: Office Work

28 matching jobs found.

Cash Receipt Clerk

Clerical job in companies or stores responsible for cash receipts and payments, accurate ledger entries, and cash management.

Certified Public Accountant Assistant

A job that assists certified public accountants with audit and accounting tasks, handling practical work such as preparing financial statements and organizing ledgers.

Consumables Procurement Clerk

A clerical position in companies or organizations that handles ordering and management of consumables and office supplies.

Disbursement and Bookkeeping Clerk

A job that handles daily accounting tasks such as cash disbursement and voucher entry.

Tax Accounting Clerk (Certified Public Accountant Offices, Tax Accountant Offices)

A job in Certified Public Accountant or Tax Accountant offices handling tax and accounting tasks for companies and individuals. Involves bookkeeping, tax return preparation, tax consultations, etc.

Tax Clerk

An administrative role responsible for a company's or organization's tax affairs, assisting with the preparation of tax returns, tax payment procedures, and compliance with tax laws.

Tax Guidance Staff (Blue Return Association)

A profession affiliated with the Blue Return Association, providing guidance and advice on bookkeeping and tax declarations utilizing the blue return system for sole proprietors and small businesses.

Cost Estimation Design Clerk

A clerical position that measures quantities of materials, labor, and machinery equipment in architectural and civil engineering works, applies unit prices to calculate construction costs. Handles preparation of quotations, cost management, and coordination with the design department.

Electricity Bill Collection Clerk

A clerical position at power companies or related organizations that handles issuing electricity bills, collecting payments, and managing deposits.

Investment Trust Accounting Clerk

Specialist handling back-office fund operations, including NAV calculation, accounting processing, settlement tasks, and report creation for investment trusts.